Tag Archives: columns

You can now also customize your columns in the Journal View and the Dashboard! In both cases, it’s as simple as clicking the setup icon on the right side of the column header, and selecting “Customize columns…” from the menu:

You’ll then be able to choose the columns you want:

For intraday trades, all columns will be used. For multi-day trades, each line in the Journal View and Dashboard may only be displaying realized data for that particular day; because of this, not all of the available columns will display data for multi-day trades. For example, the Exit Efficiency column will not show data for multi-day trade adjustments in the Journal View (although it will show data in the Trades View, where each line represents a trade in its entirety).

You can independently change the columns for the Journal View, the Dashboard, and the Trades View, and they will be saved separately. Set up your journal any way you want it!

Entry and exit price columns are now available in Tradervue. Entry price has actually been available for a while, but exit price is brand new.

Here’s how entry/exit prices are determined:

For stock, futures, and forex trades, not containing options, the entry price is the price of the first execution, and exit price is the price of the last execution.

For pure option trades, the entry price is the price of the first execution, and exit price is the price of the last execution.

For trades containing both stock and options (or both futures and futures options), the entry price is the price of the first non-option execution. Similarly, the exit price is the price of the last non-option execution.

The third case above handles the case where you’re trading, for example, a covered call. The entry/exit prices will both reflect the stock price you executed at, rather than the option prices.

Ever since Tradervue was first released, folks have been sending us email asking for certain columns to be added to the Trades View. We couldn’t add all the columns people asked for, as there wouldn’t be enough room on the page for them all.

But starting today, you can choose which columns you’d like to see on your Trades View! Simply click the setup icon on the right side of the list, and choose “Customize columns…” from the menu:

When you select that, you’ll see the list of available columns, and you can choose which ones you want to add:

Clicking “Save changes” will save your new columns, or you can click “Reset to Defaults” to get back to the original columns.

The available columns are:

Open Date – the date the trade was opened

Open Time – the time of day the trade was opened

Closed Date – the date the trade was closed (closed trades only)

Symbol

Volume

Execution Count

P&L – the P&L for the trade shown in USD

P&L (R) – the P&L for the trade, shown in terms of R (risk); only shown for trades that have an initial risk specified

P&L (%) – the P&L for the trade in % (equity trades only at the moment)